Cash Flow Statement

   31-Mar-11   31-Mar-10 
(Rupees in Lakhs.)
Cash and Cash Equivalents at
Beginning of the year
4136.76 3438.74
Net Cash from Operating Activities -231.27 701.54
Net Cash Used in Investing Activities -308.53 -152.39
Net Cash Used in Financing Activities -854.32 148.86
Net Inc/(Dec) in Cash and Cash Equivalent -1394.12 698.01
Cash and Cash Equivalents at End of the year 2742.64 4136.76